Financials
Valor 202020212022202320242025 TTM Cash from investing activities -972 M-648 M-451 M-227 M-162 M-204 M -204 M Cash from financing activities -1.43 B-1.98 B-3.68 B-3.25 B-3.06 B-2.74 B -2.74 B Free cash flow 779 M1.64 B3.7 B2.89 B2.81 B2.57 B 2.57 B